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Year of publication
Subject
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investment management 70 Investment management 44 Portfolio selection 34 Portfolio-Management 34 Theorie 15 Theory 15 Investment Fund 13 Investmentfonds 13 pension 12 pension fund 11 pensions 11 insurance companies 10 pension funds 10 risk management 10 Financial investment 9 Investment Management 9 life insurance 9 Anlageverhalten 8 Behavioural finance 8 Kapitalanlage 8 Risk management 8 asset management 8 investment projects 8 retirement 8 investment risk 7 legal framework 7 market risk 7 mutual funds 7 private investment 7 supervisory authority 7 Economic growth 6 Financial Sector Assessment Program 6 Financial market 6 Finanzmarkt 6 Institutional investor 6 Institutioneller Investor 6 Public investment 6 contribution rates 6 insurance company 6 internal control 6
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Online availability
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Free 58 Undetermined 50 CC license 3
Type of publication
All
Article 84 Book / Working Paper 43 Other 1
Type of publication (narrower categories)
All
Article in journal 42 Aufsatz in Zeitschrift 42 research-article 10 Working Paper 7 Arbeitspapier 5 Graue Literatur 4 Non-commercial literature 4 conceptual-paper 3 Article 2 Aufsatz im Buch 2 Book section 2 review-article 2 Aufsatzsammlung 1 Thesis 1 review 1 technical-paper 1
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Language
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English 84 Undetermined 42 German 1 Lithuanian 1
Author
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Agarwal, Nipun 3 Ulbricht, Dirk 3 Zanna, Luis-Felipe 3 Иванович, Перцухов Виктор 3 Agyei-Ampomah, Sam 2 Alexius, Susanna 2 Arago-Manzana, V.A. 2 Berg, Andrew 2 Berman, Kenneth 2 Berthou, Erica 2 Burkett, Matthew W. 2 Chen, Zhiwu 2 Clark, Gordon L. 2 Dong, Ming 2 Dreyer, Matthias 2 Fernandez-Izquierdo, M.A. 2 Giglio, Phil V. 2 Harrell, Michael P. 2 Hübl, Lothar 2 Impavido, Gregorio 2 Khalil, Muhammad Azhar 2 Kunzel, Peter 2 Larkin, Gregory 2 Mason, Andrew 2 Matallin-Saez, J.C. 2 Nieto-Soria, L. 2 Nimmanunta, Kridsda 2 Nisani, Doron 2 Papageorgiou, Chris 2 Penhall, Winston 2 Petrova, Iva 2 Portillo, Rafael 2 Robinson, Keith T. 2 Scherer, William T. 2 Serafeim, George 2 Skinner, Frank S. 2 Tai, Lawrence S. 2 Todd, Andrew 2 Wong, Kie Ann 2 ГЕОРГИЕВНА, ГОРЛОВСКАЯ ИРИНА 2
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Institution
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International Monetary Fund (IMF) 27 International Monetary Fund 12 C.E.P.R. Discussion Papers 1 DIW Berlin (Deutsches Institut für Wirtschaftsforschung) 1 EconWPA 1 Mykolas Romeris University 1 School of Management, Yale University 1 The MIT Press 1 Wirtschaftswissenschaftliche Fakultät, Leibniz Universität Hannover 1
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Published in...
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IMF Working Papers 15 IMF Staff Country Reports 12 Managerial Finance 5 Общество: политика, экономика, право 4 Investment management and financial innovations 3 Journal of Investment Compliance 3 The journal of investment compliance 3 Вестник Омского университета. Серия «Экономика» 3 Cogent Economics & Finance 2 Cogent economics & finance 2 International Journal of Bank Marketing 2 International Journal of Sustainable Economy 2 Journal of Economic Studies 2 Journal of Financial Transformation 2 Journal of securities operations & custody 2 Management Science 2 Working papers / Harvard Business School, Division of Research 2 Accounting and finance : journal of the Accounting Association of Australia and New Zealand 1 Annals of finance 1 Annals of financial economics 1 Annual Review of Financial Economics 1 Annual review of financial economics 1 Applied economics letters 1 Balance Sheet 1 CEPR Discussion Papers 1 Contributions to Finance and Accounting 1 DIW Discussion Papers 1 Decision 1 Discussion Papers of DIW Berlin 1 Discussion papers / Deutsches Institut für Wirtschaftsforschung 1 Diskussionsbeitrag 1 Economics and finance working paper series 1 Empirical economics : a quarterly journal of the Institute for Advanced Studies 1 European journal of operational research : EJOR 1 Finance 1 Hannover Economic Papers (HEP) 1 Human relations : towards the integration of the social sciences 1 IMA journal of management mathematics 1 Informatica Economica 1 Insurance / Mathematics & economics 1
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Source
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RePEc 53 ECONIS (ZBW) 51 Other ZBW resources 17 EconStor 4 BASE 3
Showing 1 - 50 of 128
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Creating a strategy framework for investor real estate management
Autio, Pauli; Pulkka, Lauri; Junnila, Seppo - In: Journal of European Real Estate Research 16 (2023) 1, pp. 22-41
Purpose The aim of this paper is to introduce a framework that helps to identify strategic themes on which real estate investors form their strategies. A holistic approach to strategic management in real estate management has enjoyed popularity in corporate real estate research, while similar...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10014862876
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A model to coordinate interests in investment management
Belyavsky, G. I.; Danilova, N. V.; Ougolnitsky, G. A. - In: International game theory review : IGTR 25 (2023) 1, pp. 1-12
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Is there a beta anomaly? : evidence from the India
Khandelwal, Vinay; Chotia, Varun - In: Annals of financial economics 17 (2022) 4, pp. 1-20
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Asset Management and Institutional Investors : Methods and Tools for Asset Allocation, Portfolio Management and Performance Evaluation
Basile, Ignazio (ed.); Ferrari, Pierpaolo (ed.) - 2024 - Second edition
Institutional Investors -- Collective Investment Vehicles and Other Asset Management Products -- Stages of Investment Management Policy -- Strategic Asset Allocation with Mean-Variance Optimisation -- Methods and Tools for Portfolio Selection -- Alternative Approaches to Traditional...
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Analysis of methodological approaches to the construction of dynamic systems of investment in information development
Chapran, Serhii - In: Technology audit and production reserves 6 (2021) 4/62, pp. 12-16
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Conventional versus green investments : advancing innovation for better financial and environmental prospects
Khalil, Muhammad Azhar; Nimmanunta, Kridsda - In: Journal of sustainable finance & investment 13 (2023) 3, pp. 1153-1180
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ChatGPT‑based investment portfolio selection
Romanko, Oleksandr; Narayan, Akhilesh; Kwon, Roy H. - In: Operations research forum 4 (2023) 4, pp. 1-27
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Practice Briefing: negotiation strategies and their impact on real estate investment disposal processes
Wiegelmann, Thomas; Falcão, Horacio - In: Journal of property investment & finance 41 (2023) 6, pp. 636-643
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Investor behaviour during COVID-19 pandemic : do they herding?
Nosita, Firda; Amrulloh, Rifqi - In: Macroeconomic risk and growth in the Southeast Asian …, (pp. 115-135). 2023
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Portfolio design and management through state-based analytics: A probabilistic approach
Burkett, Matthew W.; Scherer, William T.; Todd, Andrew - In: Cogent Economics & Finance 8 (2020) 1, pp. 1-17
This paper presents an innovative new approach to investment portfolio design, which applies a discrete, state-based methodology to defining market states and making asset allocation decisions with respect to both current and future state membership. State membership is based on attributes taken...
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Portfolio design and management through state-based analytics : a probabilistic approach
Burkett, Matthew W.; Scherer, William T.; Todd, Andrew - In: Cogent economics & finance 8 (2020) 1, pp. 1-17
This paper presents an innovative new approach to investment portfolio design, which applies a discrete, state-based methodology to defining market states and making asset allocation decisions with respect to both current and future state membership. State membership is based on attributes taken...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10013179708
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Decarbonization factors
Cheema-Fox, Alex; LaPerla, Bridget R.; Serafeim, George; … - 2019
In the face of accelerating climate change, investors are making capital allocations seeking to decarbonize portfolios by reducing the carbon emissions of their holdings. To understand the performance of portfolio decarbonization strategies and investor behavior towards decarbonization we...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012174388
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Knowledge capital and innovation across firms in asian economies : a balanced investment approach
Khalil, Muhammad Azhar; Nimmanunta, Kridsda - In: International journal of innovation management : IJIM 26 (2022) 10, pp. 1-42
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Behavior biases and investment decision : theoretical and research framework
Mittal, Satish K. - In: Qualitative research in financial markets 14 (2022) 2, pp. 213-228
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Wealth management requires a 360-degree compliance programme
Cowley, Jeffrey - In: Journal of securities operations & custody 14 (2022) 2, pp. 162-170
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Rational pricing of leveraged ETF expense ratios
Garivaltis, Alex - In: Annals of finance 18 (2022) 3, pp. 393-418
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A review of China's financial markets
Hu, Xing; Wang, Jiang - In: Annual review of financial economics 14 (2022), pp. 465-507
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Alternative Data and Artificial Intelligence Techniques : Applications in Investment and Risk Management
Zhang, Qingquan Tony; Li, Beibei; Xie, Danxia - 2022
Chapter 1: The introduction of the portfolio management and risk evaluation -- Chapter 2: The major trends in financial portfolio management -- Chapter 3: Machine Learning and AI in financial portfolio management -- Chapter 4: Introduction of Alternative data in Finance -- Chapter 5: Alternative...
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Democratizing art markets : fractional ownership and the securitization of art
Whitaker, Amy; Kräussl, Roman - 2018
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Public sentiment and the price of corporate sustainability
Serafeim, George - 2018
Combining corporate sustainability performance scores based on environmental, social and governance (ESG) data with big data measuring public sentiment about a company's sustainability performance, I find that the valuation premium paid for companies with strong sustainability performance has...
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A statistical analysis of investor preferences for portfolio selection
Nisani, Doron; Shelef, Amit - In: Empirical economics : a quarterly journal of the … 61 (2021) 4, pp. 1883-1915
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Normative collusion in the industry ecosystem : explaining women's career pathways and outcomes in investment management
Cooper, Rae; Baird, Marian; Foley, Meraiah; Oxenbridge, … - In: Human relations : towards the integration of the social … 74 (2021) 11, pp. 1916-1941'
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Blockchain applications in real estate
Harris, Joshua; Nikbakht, Ehsan - In: The Emerald handbook of blockchain for business, (pp. 311-323). 2021
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Do ethical perceptions help explain under-representation of women in investment management? : a comparison of students from the U.S. and China
Huang, Ying; Jensen, Tyler K.; Jorgensen, Randy D.; … - In: Pacific-Basin finance journal 70 (2021), pp. 1-17
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Exchange traded fund risk management and resiliency
Smodis, Sebastjan; Smore, Suzanne - In: Journal of risk management in financial institutions 13 (2019/2020) 1, pp. 59-69
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Economic analysis of growth finance and liquid liabilities in Nigeria
Hassan, Bello; Osabuohien, Evans; Ayadi, Folorunso Sunday; … - In: Investment management and financial innovations 17 (2020) 3, pp. 387-396
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Determinants of consumer acceptance of robo advisory models in India
Kohli, Bindya; Gupta, Pooja; Kumar, Ravi - In: The empirical economics letters : a monthly … 19 (2020) 6, pp. 631-641
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Realism, skill & incentives : current and future trends in investment management and investment performance
Mason, Andrew; Agyei-Ampomah, Sam; Skinner, Frank S. - 2015
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Ranking investments using the Lorenz curve
Nisani, Doron - In: Journal of quantitative economics 17 (2019) 1, pp. 1-9
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Leveraging a call-put ratio as a trading signal
Houlihan, Patrick; Creamer Guillén, Germán - In: Quantitative finance 19 (2019) 5, pp. 763-777
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Corporate Governance Code Compliance and financial performance : the case of Austrian stock listed companies
Braendle, Udo - In: Investment management and financial innovations 16 (2019) 3, pp. 131-141
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How to obtain high returns with lower volatility in emerging markets?
Agarwal, Nipun - In: Cogent Economics & Finance 2 (2014) 1, pp. 1-15
Emerging markets equity indexes are usually seen as high return with a high degree of volatility associated with them. However, this should not be the case, if you choose high-quality firms that have increasing returns and lower volatility. The intent of this paper is to introduce the risk...
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Risk weighted alpha index – analysis of the ASX50 index Patterns in Neighboring Areas
Agarwal, Nipun - In: International Journal of Economics 1 (2014) 1, pp. 1-14
Major stock indexes are developed on the market capitalization or price weighted indexation method. The Australian Stock Exchange 50 (ASX50) index is a market capitalization index of the top 50 Australian stocks. Fundamental indexation, equal weighted index and risk weighted index methods have...
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How to obtain high returns with lower volatility in emerging markets?
Agarwal, Nipun - In: Cogent economics & finance 2 (2014) 1, pp. 1-15
Emerging markets equity indexes are usually seen as high return with a high degree of volatility associated with them. However, this should not be the case, if you choose high-quality firms that have increasing returns and lower volatility. The intent of this paper is to introduce the risk...
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Sovereign Wealth Funds: Aspects of Governance Structures and Investment Management
Al-Hassan, Abdullah; Papaioannou, Michael G; Skancke, Martin - International Monetary Fund (IMF) - 2013
This paper presents in a systematic (normative) manner the salient features of a SWF‘s governance structure, in relation to its objectives and investment management that can ensure its efficient operation and enhance its financial performance. In this context, it distinguishes among the...
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Stock Investments for Old-Age: Less Return, More Risk, and Unexpected Timing
Ulbricht, Dirk - DIW Berlin (Deutsches Institut für Wirtschaftsforschung) - 2013
Returns merely based on one purchasing price of an asset are uninformative for people regularly contributing to their old-age provision. Here, each purchase has an influence on the outcome. Still, they are commonly used in finance literature, giving an overly optimistic view of expected...
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Stock investments for old-age: Less return, more risk, and unexpected timing
Ulbricht, Dirk - 2013
Returns merely based on one purchasing price of an asset are uninformative for people regularly contributing to their old-age provision. Here, each purchase has an influence on the outcome. Still, they are commonly used in finance literature, giving an overly optimistic view of expected...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10010323920
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Stock investments for old-age : less return, more risk, and unexpected timing
Ulbricht, Dirk - 2013
Returns merely based on one purchasing price of an asset are uninformative for people regularly contributing to their old-age provision. Here, each purchase has an influence on the outcome. Still, they are commonly used in finance literature, giving an overly optimistic view of expected...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10010189923
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On bespoke decision-aid under risk : the engineering behind preference elicitation
Munier, Bertrand - In: IMA journal of management mathematics 29 (2018) 3, pp. 253-273
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Evidence on post-financial crisis corporate culture in UK listed banks
Cox, Paul; Soobiah, Diandra - In: Journal of banking regulation 19 (2018) 2, pp. 149-159
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Portfolio management with targeted constant market volatility
Bao Doan; Papageorgiou, Nicolas A.; Reeves, Jonathan J.; … - In: Insurance / Mathematics & economics 83 (2018), pp. 134-147
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BRICs’ Philosophies for Development Financing and their Implications for LICs
Yang, Yongzheng; Mwase, Nkunde - International Monetary Fund (IMF) - 2012
Flows of development financing from the BRICs (Brazil, Russia, India, and China) to low income countries (LICs) have surged in recent years. Unlike aid from traditional donors, BRICs (excluding Russia) view their financing as primarily based on the principles of South-South cooperation, focusing...
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СИСТЕМНОЕ УПРАВЛЕНИЕ ИНВЕСТИЦИЯМИ ПРОМЫШЛЕННОГО ПРЕДПРИЯТИЯ
ГЕОРГИЕВНА, ГОРЛОВСКАЯ ИРИНА; … - In: Вестник Омского университета. … (2012) 3, pp. 167-173
В статье рассмотрена система управления инвестициями на промышленном предприятии с учетом функций управления инвестициями и процесса управления инвестициями....
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СОДЕРЖАНИЕ И ОСОБЕННОСТИ ПРЕДПРИНИМАТЕЛЬСКОЙ ДЕЯТЕЛЬНОСТИ ПО ДОВЕРИТЕЛЬНОМУ УПРАВЛЕНИЮ НА РЫНКЕ ЦЕННЫХ БУМАГ
ГЕОРГИЕВНА, ГОРЛОВСКАЯ ИРИНА; … - In: Вестник Омского университета. … (2012) 3, pp. 168-173
Представлен анализ и обобщение точек зрения на содержание предпринимательской деятельности по доверительному управлению на рынке ценных бумаг. Раскрыты...
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ИСПОЛЬЗОВАНИЕ ТЕОРИИ КОНТРАКТОВ В ДОВЕРИТЕЛЬНОМ УПРАВЛЕНИИ НА РЫНКЕ ЦЕННЫХ БУМАГ
ВИКТОРОВНА, ЛЮЦ ЕКАТЕРИНА - In: Вестник Омского университета. … (2012) 3, pp. 165-170
Статья посвящена перспективам применения теории контрактов в доверительном управлении на рынке ценных бумаг. Сделаны выводы о типах контрактов в доверительном...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011233170
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ПАРАМЕТРЫ РАЗВИТИЯ ИНВЕСТИЦИОННЫХ ПРОЦЕССОВ
ИВАНОВИЧ, ПЕРЦУХОВ ВИКТОР - In: Общество: политика, экономика, … (2012) 3, pp. 93-100
В данной работе рассматривается экономическая природа инвестиционных процессов, формализуются параметры, оказывающие стимулирующее или сдерживающее...
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Resource Windfalls, Optimal Public Investment and Redistribution; The Role of Total Factor Productivity and Administrative Capacity
Gelb, Alan H.; Dupuy, Arnaud; Arezki, Rabah - International Monetary Fund (IMF) - 2012
This paper studies the optimal public investment decisions in countries experiencing a resource windfall. To do so, we use an augmented version of the Permanent Income framework with public investment faced with adjustment costs capturing the associated administrative capacity as well as...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011242260
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Public Investment, Growth, and Debt Sustainability; Putting together the Pieces
Berg, Andrew; Portillo, Rafael; Buffie, Edward F.; … - International Monetary Fund (IMF) - 2012
We develop a model to study the macroeconomic effects of public investment surges in low-income countries, making explicit: (i) the investment-growth linkages; (ii) public external and domestic debt accumulation; (iii) the fiscal policy reactions necessary to ensure debt-sustainability; and (iv)...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011242330
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Public Investment in Resource-Abundant Developing Countries
Berg, Andrew; Portillo, Rafael; Yang, Shu-Chun S.; … - International Monetary Fund (IMF) - 2012
Natural resource revenues provide a valuable source to finance public investment in developing countries, which frequently face borrowing constraints and tax revenue mobilization problems. This paper develops a dynamic stochastic small open economy model to analyze the macroeconomic effects of...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10010790256
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As You sow so Shall You Reap; Public Investment Surges, Growth, and Debt Sustainability in togo
David, Antonio; Zanna, Luis-Felipe; Espinoza, Raphael A.; … - International Monetary Fund (IMF) - 2012
This paper presents an analysis of the public investment scaling-up strategy for Togo using a dynamic macroeconomic model that explicitly analyzes the links between public investment, economic growth, and debt sustainability. In the model, public capital is productive and complementary to...
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